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KEY TOPICS COVERED
April is almost here, and Q2 promises to be equally challenging for markets.
Like we just saw in Q1, many established narratives could get seriously tested.
Volatility vs Opportunity: the age-old battle.
Monitoring Bonds for the next big move, approaching an important juncture.
New features on the way — starting today, we’re gradually adding new upgrades & resources to all reports.
*Actionable* & Comprehensive Analysis of Key Market Signals.
Complete list of Buy/Sell setups we’re watching.
Detailed Charts & Commentary: Core Models, Global Equities & Sectors, Volatility, Rates & Credit, Currencies, Commodities, Bitcoin.
NEW: Market Dashboard
Introducing key additions to our reports going forward — in response to subscriber feedback:
Core Positions Tracker: Planned ahead of market conditions, and include (1) reasoning, (2) chart context, (3) entry/stop levels, and (4) price projections.
Trend Rank / Risk Monitor: Model-driven system which includes Positioning, Sentiment, and Momentum to generate forward 3-6 month ranked risk distributions. These can become Core Positions if/when Trends are confirmed.
New Chart Developments Summary: Notable chart patterns of the week, developing potential key inflection or acceleration points.
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